Description
Finance Business Services Manager
The ideal applicant will have experience of financial reconciliation with more of a financial control background.
The role is to perform a deep dive into the operational financial controls performed with a view of consolidating granular customer level information to support balances on the ledger through a migration programme.
You will also support the development of a migration strategy for the entire balance sheet, there is a requirement to complete a deep dive into the finance reconciliations which are performed to support the balances in the ledger which are signed off each month.
The objective is to ensure that for all finance reconciliations there is granular Inventory supporting reconciliations at the point of migration. This is complicated by the complex ownership and accountability model for finance migration and will require working with key stakeholders across the Bank.
Working as part of a team, the jobholder will be responsible for engaging with key stakeholders to support the deep dive activity to understand the finance migration and ensure a fully reconciled inventory for all reconciliations.
Mandatory:
- Strong data analysis and data mining skills
- Advanced Excel and Access
- Strong organisational and prioritisation skills
- Excellence in stakeholder management
- Attention to detail
- Experience of working on projects with demonstrated ability to deliver to demanding timescales.
Desirable:
- Preferably a qualified accountant
- Understanding of finance systems and processes in a banking environment.